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This account uses a custom start date - for full history analysis use the 'Custom Analysis' tool.
| +24.11% | |
| +21.55% |
| 0.00% | |
| 1.51% | |
| Drawdown: | 17.55% |
| Balance: | $45,740.85 |
| Equity: | (100.00%) $45,740.85 |
| Highest: | (Oct 21) $48,655.05 |
| Profit: | $9,096.14 |
| Interest: | $0.00 |
| Deposits: | $42,201.27 |
| Withdrawals: | $5,556.56 |
| Updated | Dec 31, 2013 at 16:26 |
| Tracking | 13 |
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| Gain (Difference) | Profit (Difference) | pips (Difference) | Win% (Difference) | Trades (Difference) | Lots (Difference) | |
|---|---|---|---|---|---|---|
| Today | - | - | - | - | - | - |
| This Week | - | - | - | - | - | - |
| This Month | - | - | - | - | - | - |
| This Year | - | - | - | - | - | - |
Data is private.
| Trades: | 1,015 |
| Profitability: |
|
| pips: | 1,420.9 |
| Average Win: | 15.79 pips / $109.51 |
| Average Loss: | -20.63 pips / -$144.99 |
| Lots : | 715.11 |
| Commissions: | $0.00 |
| Longs Won: | (292/498) 58% |
| Shorts Won: | (322/517) 62% |
| Trade terbaik ($): | (Jul 31) 1,120.55 |
| Worst Trade ($): | (Nov 07) -893.24 |
| Best Trade (Pips): | (Feb 26) 150.7 |
| Worst Trade (Pips): | (May 02) -103.6 |
| Avg. Trade Length: | 4h 54m |
| Profit Factor: | 1.16 |
| Standard Deviation: | $189.338 |
| Sharpe Ratio | 0.05 |
| Z-Score (Probability): | -12.00 (99.99%) |
| Expectancy | 1.4 pips / $8.96 |
| AHPR: | 0.02% |
| GHPR: | 0.02% |
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Data includes last 200 transactions based on the analysed history.
Data includes last 200 transactions based on the analysed history.
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